CFX - Colfax Corp


Weak GrowthStock Price Very High


based on last 5 year data.
Income Statement is WEAK
Revenue Growth is -7.71%
Operating Income Growth is -20.29%
Net Income Growth is 124.34%
Earnings Per Share (EPS) Growth is 340.0%
Net Margin is 1.39%
Balance Sheet is MODERATE
Current Asset to Current Liability Ratio is 1.68
Debt Ratio is 0.51
Current Debt to Net Income Ratio is 0.64
Total Debt to Total Assets Ratio is 0.31
Cash Flow is WEAK
Cash from Operations Growth is 130.58%
Capital Expenditure is High
Net Increase in Cash is Negative
Long Term Score Trend is NEUTRAL
Investment Risk is High
based on last 4 quarter data.
Unless specified, all values are in USD Millions. Data extracted from SEC Filing and are subject to processing and input errors.
Colfax Corp (CFX) -
Industry - Pump and Pumping Equipment Manufacturing
Sector - Manufacturing
CEO - Matthew Trerotola

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